Profil
Mr. Brent D.
David is a Senior Portfolio Manager at BlueBay Asset Management LLP.
He joined BlueBay in March 2014 as a Portfolio Manager within the Emerging Markets Team specialising in EM corporate bond portfolios.
Brent has been the lead portfolio manager for the EM Local Currency Corporate Debt Strategy from its inception in July 2014.
In September 2017, he was appointed Senior Portfolio Manager for the EM sovereign local currency portfolios, working closely with the sovereign debt specialists.
Prior to joining BlueBay, he worked for 12 years'on the sell-side, for Credit Suisse, Barclays Capital and Deutsche Bank, in emerging markets as a local currency fixed income, rates and FX trader.
He holds a BEng (Industrial Engineering) degree from the University of Pretoria in South Africa.
Postes actifs de Brent Daniel David
| Sociétés | Poste | Début |
|---|---|---|
BlueBay Asset Management LLP
BlueBay Asset Management LLP Investment ManagersFinance RBC BlueBay is an active investment manager partnering with clients to deliver optimal outcomes across asset classes. The firm’s investment expertise is characterized by their specialist fixed income credentials, broad-based equity capabilities, integrated ESG approach and impact investing strategies. They have a global perspective with local expertise in their core markets. RBC BlueBay's investment process combines top-down macroeconomic research and bottom-up microeconomic research. | Portfolio Manager-Fixed Income | 01/03/2014 |
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| Entreprise privées | 1 |
|---|---|
BlueBay Asset Management LLP
BlueBay Asset Management LLP Investment ManagersFinance RBC BlueBay is an active investment manager partnering with clients to deliver optimal outcomes across asset classes. The firm’s investment expertise is characterized by their specialist fixed income credentials, broad-based equity capabilities, integrated ESG approach and impact investing strategies. They have a global perspective with local expertise in their core markets. RBC BlueBay's investment process combines top-down macroeconomic research and bottom-up microeconomic research. | Finance |
















